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End-of-period procedures > Month-end procedures > Task 3: Review reports
Task 3: Review reports
There are several reports that we recommend you review at the end of each month. You can use these reports to identify and correct any discrepancies in your records, as well as spot any trends in your business.
Receivables Reconciliation
Payables Reconciliation
Shows what’s on‑hand and what needs to be ordered.
Reviews changes made to recorded transactions, GST codes, account details and system settings.
Note that before you can track and report changes, you need to activate the audit trail tracking preference. For more information, see Audit trail tracking system.
Identifies amounts incorrectly entered. When reviewing this report, check for:
entries that seem unusually high or low for the account that has been affected
debit amounts for accounts that normally have credit entries and vice versa
Balance Sheet Budget Analysis
Lists account balances as at the end of a selected period, along with the budgeted amounts for them. If you’ve determined that changes need to be made to the amounts you’ve budgeted for the coming months, you can adjust your budget.
Profit & Loss Budget Analysis
Lists account balances for a selected period, along with the budgeted amounts for them. If you’ve determined that changes need to be made to the amounts you’ve budgeted for the coming months, you can adjust your budget.
Statement of Cash Flow
Shows how your cash position has changed over a period of time, what profit you have earned, where you received additional cash and where your cash was spent.
Cash Flow Worksheet
You can create a report batch for your month-end reports and print them all in one go. For more information, see Printing report batches.

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